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Risk Management

Unimar’s investment philosophy is to manage client assets balancing the dual goals of high returns and low volatility. The risk management process starts by assessing the ability and degree to tolerate risk and tailoring bespoke portfolios within those parameters. Through monitoring the financial and currency markets, Unimar actively takes steps or advises and recommends risk mitigating trades and rebalancing.

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1450 Brickell Avenue, Suite 2160 | Miami, Florida 33131

Tel. 786-245-4164

© 2021 by Unimar Financial Services                       

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